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Market Announcements

All of our market announcements, as released to the NZX Main Board, are listed below.

10 July 2025BRM NAV as at 9/7/25 - $0.7095
2 July 2025BRM NAV as at 2/7/25 - $0.7039
1 July 2025BRM NAV as at 30/6/25 - $0.7062
30 June 2025Quotation Notice - Barramundi Limited (“BRM”) Warrants
30 June 2025New Warrant Issue for Barramundi (New Warrant Issue for Barramundi)
30 June 2025New Warrant Issue for Barramundi (Cleansing Notice BRMWI)
30 June 2025New Warrant Issue for Barramundi (BRMWI Warrant Terms Offer Document)
30 June 2025New Warrant Issue for Barramundi (BRM Shareholder Letter for BRMWI Warrant Offer)
30 June 2025New Warrant Issue for Barramundi (BRM Corporate Action 3.14.1)
30 June 2025BRM - D&O Ongoing Disclosure - Multiple (BRM - Ongoing Disclosure Notice (Fiona Oliver))
30 June 2025BRM - D&O Ongoing Disclosure - Multiple (BRM - Ongoing Disclosure Notice (David McClatchy))
30 June 2025BRM - D&O Ongoing Disclosure - Multiple (BRM - Ongoing Disclosure Notice (Carol Campbell))
30 June 2025BRM - D&O Ongoing Disclosure - Multiple (BRM - Ongoing Disclosure Notice (Andy Coupe))
26 June 2025BRM - Notice of issue of securities - 27 June 2025
26 June 2025BRM NAV as at 25/6/25 - $0.7015
19 June 2025BRM NAV as at 18/6/25 - $0.6988
12 June 2025DIVIDEND REINVESTMENT PLAN PRICE DETERMINED
12 June 2025BRM – June 2025 monthly update
12 June 2025BRM NAV as at 11/6/25 - $0.6990
5 June 2025BRM ex-div NAV as at 4/6/25 - $0.6939
3 June 2025BRM NAV as at 31/5/25 - $0.7077
28 May 2025BRM NAV as at 28/5/25 - $0.7077
22 May 2025BRM NAV as at 21/5/25 - $0.7045
19 May 2025BRM – Quarterly dividend of 1.38 cents per share
15 May 2025BRM - monthly update - 30 April 25 NAV discount correction
15 May 2025BRM NAV as at 14/5/25 - $0.6999
12 May 2025BRM – May 2025 monthly update
8 May 2025BRM NAV as at 7/5/25 - $0.6799
1 May 2025BRM NAV as at 30/4/25 - $0.6644
27 April 2025BRM - March 2025 Quarter Newsletter
24 April 2025BRM NAV as at 23/4/25 - $0.6408
17 April 2025BRM NAV as at 16/4/25 - $0.6342
10 April 2025BRM NAV as at 9/4/25 - $0.6089
2 April 2025BRM NAV as at 2/4/25 - $0.6598
1 April 2025BRM - D&O Ongoing Disclosure – Multiple (BRM - Ongoing Disclosure Notice (Fiona Oliver))
1 April 2025BRM - D&O Ongoing Disclosure – Multiple (BRM - Ongoing Disclosure Notice (David McClatchy))
1 April 2025BRM - D&O Ongoing Disclosure – Multiple (BRM - Ongoing Disclosure Notice (Carol Campbell))
1 April 2025BRM - D&O Ongoing Disclosure – Multiple (BRM - Ongoing Disclosure Notice (Andy Coupe))
31 March 2025BRM NAV as at 31/3/25 - $0.6501
27 March 2025BRM – Notice of issue of securities - 28 March 2025
26 March 2025BRM NAV as at 26/3/25 - $0.6721
20 March 2025BRM NAV as at 19/3/25 - $0.6637
16 March 2025BRM – March 2025 monthly update
13 March 2025DIVIDEND REINVESTMENT PLAN PRICE DETERMINED
12 March 2025BRM NAV as at 12/3/25 - $0.6645
6 March 2025BRM ex-div NAV as at 5/3/25 - $0.6983
2 March 2025BRM NAV as at 28/2/25 - $0.7156
26 February 2025BRM NAV as at 26/2/25 - $0.7246
25 February 2025BRM – Notice of acquisition of securities - 25 Feb 2025
23 February 2025BRM – Notice of acquisition of securities - 21 Feb 2025
21 February 2025Barramundi delivers $8.9m interim result (BRM- Preliminary half year announcement - 31 December 2024)
21 February 2025Barramundi delivers $8.9m interim result (BRM - Interim Financial Statements for period to 31 Dec 2024 including review report)
21 February 2025Barramundi delivers $8.9m interim result (BRM - Commentary for interim period to 31 December 2024)
21 February 2025BRM – Quarterly dividend of 1.53 cents per share
20 February 2025BRM – Notice of acquisition of securities - 20 Feb 2025
19 February 2025BRM NAV as at 19/2/25 - $0.7586
19 February 2025BRM – Notice of acquisition of securities - 19 Feb 2025
18 February 2025BRM – Notice of acquisition of securities - 18 Feb 2025
16 February 2025BRM – Notice of acquisition of securities - 14 Feb 2025
16 February 2025BRM – February 2025 monthly update
13 February 2025BRM – Notice of acquisition of securities - 13 Feb 2025
13 February 2025BRM NAV as at 12/2/25 - $0.7537
12 February 2025BRM – Notice of acquisition of securities - 12 Feb 2025
10 February 2025BRM – Notice of acquisition of securities - 10 Feb 2025
9 February 2025BRM – Notice of acquisition of securities - 07 Feb 2025
4 February 2025BRM – Notice of acquisition of securities - 04 Feb 2025
3 February 2025BRM weekly NAV - Waitangi Day
3 February 2025BRM – Notice of acquisition of securities - 03 Feb 2025
3 February 2025BRM NAV as at 31/1/25 - $0.7637
29 January 2025BRM NAV as at 29/1/25 - $0.7620
27 January 2025BRM – Notice of acquisition of securities - 27 Jan 2025
27 January 2025BRM – Notice of acquisition of securities - 24 Jan 2025
23 January 2025BRM - December 2024 Quarterly Newsletter
23 January 2025BRM NAV as at 22/1/25 - $0.7581
16 January 2025BRM NAV as at 15/1/25 - $0.7377
14 January 2025BRM – Notice of acquisition of securities - 14 Jan 2025
13 January 2025BRM – Notice of acquisition of securities - 13 Jan 2025
9 January 2025BRM – Notice of acquisition of securities - 09 Jan 2025
9 January 2025BRM NAV as at 8/1/25 - $0.7552
6 January 2025BRM – Notice of acquisition of securities - 06 Jan 2025
6 January 2025BRM NAV as at 31/12/24 - $0.7393